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CC Resolution No. 24-008 ratifying Accounts Payable for the Period ending December 15, 2023RESOLUTION NO.24-008
A RESOLUTION OF THE CUPERTINO CITY COUNCIL
RATIFYING CERTAIN CLAIMS AND DEMANDS PAYABLE IN THE
AMOUNTS AND FROM THE FUNDS AS HEREINAFTER DESCRIBED FOR
GENERAL AND MISCELLANEOUS EXPENDITURES FOR THE PERIOD
ENDING DECEMBER 15, 2023
WHEREAS, the Director of Administrative Services or their designated
representative has certified to accuracy of the following claims and demands and
to the availability of funds for payment hereof; and
WHEREAS, the said claims and demands have been audited as required by law.
NOW, THEREFORE, BE IT RESOLVED that the City Council does hereby ratify
the following claims and demands in the amounts and from the funds as
hereinafter set forth in the attached Payment Register.
PASSED AND ADOPTED at a special meeting of the City Council of the City of
Cupertino this 171h day of January, 2024 by the following vote:
Members of the City Council
AYES:
Mohan, Fruen, Chao, Moore, Wei
NOES:
None
ABSENT:
None
ABSTAIN:
None
SIGNED:
1 /29/2024
Sheila Mohan, Mayor
Date
City of Cupertino
ATTEST:
Y
1 /29/2024
Kirsten Squarcia, City Clerk
Date
Resolution No. 24-008
Page 2
CERTIFICATION
The Finance Manager hereby certifies to the accuracy of said records and to the
availability of funds for payment.
CERTIFIED:
Jonathan Orozco, Finance Manager
**LIVE** Cupertino **LIVE**
Payment Register
From Payment Date: 12/9/2023 - To Payment Date: 12/15/2023
Reconciled/
Transaction Reconciled
Number
Date Status
Void Reason
Voided Date Source Payee Name
Amount Amount Difference
Main Account - Main Checking Account
Check
733747
12/15/2023 Open
Accounts Payable 4 Point Power
$15,500.00
Invoice
Date
Description
Amount
1636
11/07/2023
Facilities- City Hall Electrical Panel Preventative Maint.
$15,500.00
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$15,500.00
Cash)
733748
12/15/2023 Open
Accounts Payable Advantage Grafix
$106.94
Invoice
Date
Description
Amount
48111
11/24/2023
Business Cards - Building Division
$106.94
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$106.94
Cash)
733749
12/15/2023 Open
Accounts Payable ALHAMBRA
$354.97
Invoice
Date
Description
Amount
14628570 113023
11/30/2023
Employee Drinking Water for BBF
$193.80
4984729 112523
11/25/2023
Employee Drinking Water for QCC
$161.17
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$354.97
Cash)
733750
12/15/2023 Open
Accounts Payable AT&T
$8,665.72
Invoice
Date
Description
Amount
000020797078
11/12/2023
9391023221 (408-253-9200) 10/12/23-11/11/23
$65.70
000020797080
11/12/2023
9391023223 6/12-7/11/15 10/12/23-11/11/23
$91.69
000020797174
11/12/2023
9391023218 (238-371-7141) 10/12/23-11/11/23
$63.82
000020797175
11/12/2023
9391023217 (237-361-8095) 10/12/23-11/11/23
$81.00
000020797176
11/12/2023
9391023216 (233-281-5494) 10/12/23-11/11/23
$65.40
000020797177
11/12/2023
9391023215 (233-281-4421) 10/12/23-11/11/23
$83.01
000020792065
11/10/2023
9391051384 10/10/23-11/09/23
$1,604.64
000020797077-0
11/12/2023
City Clerk
$31.04
000020797077-1
11/12/2023
4082558166 - Service Center Admin
$31.04
000020797077-2
11/12/2023
City Hall
$1,708.09
000020797077-3
11/12/2023
Service Center
$126.88
000020797077-4
11/12/2023
Wilson Park
$31.04
000020797077-5
11/12/2023
Street Maintenance
$31.17
000020797077-6
11/12/2023
Monte Vista - 0720858144
$522.45
000020797077-7
11/12/2023
BBF Golf - 0720858146
$425.90
000020797077-8
11/12/2023
BBF Park - 0720858145
$425.90
000020797077-9
11/12/2023
0720858348 -
$425.90
000020797077-10
11/12/2023
0720858349 - 10229 North Portal Avenue
$425.90
000020797077-11
11/12/2023
Teleconnect: BTN0720858350
$425.90
000020797077-12
11/12/2023
720858352
$522.45
000020797077-13
11/12/2023
Teleconnect: BTN0722762181
$522.45
000020797077-14
11/12/2023
4084461114 - 10455 Miller Ave
$31.06
000020797077-15
11/12/2023
4084461126 - 19784 Wintergreen dr.
$31.04
000020797077-16
11/12/2023
4084461164 - 10299 N PORTAL AV
$31.04
000020798045-0
11/12/2023
4087771305 10185 N STELLING RD - Secure FAX
$20.15
000020798045-1
11/12/2023
4087771306 10185 N STELLING RD - Sheriff
$20.15
user: Vi Tran Pages: 1 of 21 Monday, December 18, 2023
**LIVE** Cupertino **LIVE**
Payment Register
From Payment Date: 12/9/2023 - To Payment Date: 12/15/2023
Reconciled/
Transaction Reconciled
Number Date Status
Void Reason
Voided Date Source Payee Name
Amount Amount Difference
000020798045-2
11/12/2023
4087771307 10185 N STELLING RD - Sheriff
$20.15
000020798045-3
11/12/2023
4087771311 22221 MC CLELLAN RD -
$25.22
Environmental Education Cen
000020798045-4
11/12/2023
4087771318 1 1 10555 MARY AV - Traffic Operating
$36.15
Center on Franc
000020798045-5
11/12/2023
4087771331 1 1 21975 SAN FERNANDO AV - BBF-
$20.65
Kiosk Alarm
000020798045-6
11/12/2023
4087771340 1 1 10555 MARY AV - Alarm- Service
$20.30
Center
000020798045-7
11/12/2023
4087771344 1 1 21251 STEVENS CREEK BL - SEN -
$20.15
FAX
000020798045-8
11/12/2023
4087771345 - CH- PG&E Meter
$20.30
000020798045-9
11/12/2023
4087771346 1 1 21111 STEVENS CREEK BL -
$20.30
SPORTS Center - HVAC Lin
000020798045-10
11/12/2023
408777134811 10555 MARY AV - Alarm- Service
$21.96
Center
000020798045-11
11/12/2023
408777135511 10555 MARY AV - Mechanic Shop
$20.15
FAX
000020798045-12
11/12/2023
408777310211 10185 N STELLING RD -
$20.15
Museum/Spare
000020798045-13
11/12/2023
408777310311 10185 N STELLING RD -
$20.15
Museum/Spare
000020798045-14
11/12/2023
4087773109 - FAX
$20.15
000020798045-15
11/12/2023
4087773112 1 1 21111 STEVENS CREEK BL -
$21.80
SPORTS- Fire Alarm
000020798045-16
11/12/2023
4087773113 1 1 21111 STEVENS CREEK BL -
$20.48
SPORTS- Fire Alarm
000020798045-17
11/12/2023
4087773137 1 1 10185 N STELLING RD - FAX QCC
$20.15
000020798045-18
11/12/2023
4087773143 1 1 21975 SAN FERNANDO AV - BBF -
$20.66
Retreat Alarm
000020798045-19
11/12/2023
4087773145 1 1 21975 SAN FERNANDO AV - BBF-
$20.30
Alarm Golf Shed
000020798045-20
11/12/2023
4087773156 1 1 21251 STEVENS CREEK BL - SEW
$20.15
FAX Work Room
000020798045-21
11/12/2023
4087773164 21111 STEVENS CREEK BL - Sports
$20.30
Fax
000020798045-22
11/12/2023
4087773168 21111 STEVENS CREEK BL - Sports
$20.30
Center Elevator
000020798045-23
11/12/2023
4087773254 1 1 21975 SAN FERNANDO AV - BBF -
$25.23
Golf Shed
000020798045-24
11/12/2023
4087773258 1 1 21975 SAN FERNANDO AV - BBF-
$20.15
Alarm Cafe
000020798045-25
11/12/2023
4087773287 - Comm Hall - Alarm
$20.57
000020798045-26
11/12/2023
4087773288 - Comm Hall - Fire Alarm
$20.66
000020798045-27
11/12/2023
4087773293 - Comm Hall - Fire Alarm
$20.15
000020798045-28
11/12/2023
4087773302 1 1 21251 STEVENS CREEK BL - SEW
$20.15
Credit Card Front D
000020798045-29
11/12/2023
4087773305 1 1 21251 STEVENS CREEK BL - SEW
$20.15
Credit Card Front D
000020798045-30
11/12/2023
4087773317 - CH- Finance CC VISA
$20.30
000020798045-31
11/12/2023
4087773333 - CH- FAX downstairs
$20.30
user: Vi Tran Pages: 2 of 21 Monday, December 18, 2023
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Payment Register
From Payment Date: 12/9/2023 - To Payment Date: 12/15/2023
Reconciled/
Transaction Reconciled
Number Date Status
Void Reason
Voided Date Source Payee Name
Amount Amount Difference
000020798045-32
11/12/2023
4087773365 1 1 21251 STEVENS CREEK BL - RNA
$20.15
FAX
000020798045-33
11/12/2023
4087773369 1 1 21251 STEVENS CREEK BL - SEW
$21.61
Alarm Line
000020798045-34
11/12/2023
4087773370 1 1 21251 STEVENS CREEK BL - SEW
$20.41
Alarm Line
000020798045-35
11/12/2023
4087773372 1 1 21251 STEVENS CREEK BL - Trane
$20.15
Modem (HVAC)
000020798045-36
11/12/2023
4087773387 1 1 10555 MARY AV - FAX or Alarm
$20.15
000020798045-37
11/12/2023
4087773388 1 1 10555 MARY AV - FAX or Alarm
$20.15
000020798045-38
11/12/2023
4087773399 1 1 10555 MARY AV - FAX
$20.42
000020798045-39
11/12/2023
4087773416 1 1 21251 STEVENS CREEK BL - SEW
$20.15
Cr Card
000020798045-40
11/12/2023
4087773419 1 1 21251 STEVENS CREEK BL - SEW
$20.14
Cr Card
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$5,144.35
Cash)
560 - Blackberry Farm
560 100-100 (Cash & Investments Assets Operating
$65.70
Cash)
570 - Sports Center
570 100-100 (Cash & Investments Assets Operating
$164.41
Cash)
610 - Innovation & Technology
610 100-100 (Cash & Investments Assets Operating
$3,271.11
Cash)
630 - Vehicle/Equip Replacement
630 100-100 (Cash & Investments Assets Operating
$20.15
Cash)
733751 12/15/2023 Open
Accounts Payable Beekeeper Nova
$295.00
Invoice
Date
Description
Amount
00379
11/13/2023
Trees- Yellow Jacket Removal
$295.00
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$295.00
Cash)
733752 12/15/2023 Open
Accounts Payable BOETHING TREELAND
FARMS INC
$1,399.79
Invoice
Date
Description
Amount
SI-1373561
12/01/2023
Trees/ROW- T. Violacea, T. Blue, Corbar., Skylark, T.
$1,399.79
Yellow etc
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$1,399.79
Cash)
733753 12/15/2023 Open
Accounts Payable CellGate
$167.00
Invoice
Date
Description
Amount
67166
12/01/2023
Service Center - Monthly Service Fee Watchman Fee
$167.00
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$167.00
Cash)
733754 12/15/2023 Open
Accounts Payable CINTAS CORP
$3,554.39
Invoice
Date
Description
Amount
4176048724
12/05/2023
Uniforms/Safety Apparel
$2,233.80
4176771009
12/12/2023
Service Center - Uniform Safety Apparel
$1,320.59
Pavina Fund
Cash Account
Amount
user: Vi Tran Pages: 3 of 21 Monday, December 18, 2023
**LIVE** Cupertino **LIVE**
Payment Register
From Payment Date: 12/9/2023 - To Payment Date: 12/15/2023
Reconciled/
Transaction Reconciled
Number
Date Status
Void Reason
Voided Date Source Payee Name
Amount Amount Difference
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$3,554.39
Cash)
733755
12/15/2023 Open
Accounts Payable City of Morgan Hill
$5,600.00
Invoice
Date
Description
Amount
2023-102
11/13/2023
2023 SCCLA Attendees - A. Badal, T. Leung, U.
$5,600.00
Syrova, S. Vybiral
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$5,600.00
Cash)
733756
12/15/2023 Open
Accounts Payable COAST COUNTIES PETERBILT
$330.13
Invoice
Date
Description
Amount
01199164P
12/05/2023
Fleet -Oil, Battery Starts, Fleet Guard, TRIP Batteries.
$330.13
Batt. Fee
Paying Fund
Cash Account
Amount
630 - Vehicle/Equip Replacement
630 100-100 (Cash & Investments Assets Operating
$330.13
Cash)
733757
12/15/2023 Open
Accounts Payable COMCAST
$1,689.49
Invoice
Date
Description
Amount
3310-120723
12/07/2023
8155 40 065 0183310-120723
$1,689.49
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$170.23
Cash)
570 - Sports Center
570 100-100 (Cash & Investments Assets Operating
$545.35
Cash)
610 - Innovation & Technology
610 100-100 (Cash & Investments Assets Operating
$973.91
Cash)
733758
12/15/2023 Open
Accounts Payable County of Santa Clara
$700.00
Invoice
Date
Description
Amount
DIR-2023-019
12/11/2023
Exempt Filing
$50.00
DIR-2023-011
12/11/2023
Exempt Filing
$50.00
DIR-2023-014
12/11/2023
Exempt Filing
$50.00
DIR-2023-017
12/11/2023
Exempt Filing
$50.00
R-2023-023
12/11/2023
Exempt Filing - R-2023-023,RM-2023-024
$50.00
R-2022-051
12/11/2023
Exempt Filing - R-2022-051,RM-2023-008
$50.00
R-2023-007
12/11/2023
Exempt Filing - R-2023-007,RM-2023-006
$50.00
R-2023-008
12/11/2023
Exempt Filing
$50.00
R-2023-018
12/11/2023
Exempt Filing - R-2023-018,RM-2023-018
$50.00
R-2023-020
12/11/2023
Exempt Filing
$50.00
TR-2023-049
12/11/2023
Exempt Filing
$50.00
RM-2023-017
12/11/2023
Exempt Filing
$50.00
TR-2023-024
12/11/2023
Exempt Filing
$50.00
TR-2023-048
12/11/2023
Exempt Filing
$50.00
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$700.00
Cash)
user: Vi Tran Pages: 4 of 21 Monday, December 18, 2023
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Payment Register
From Payment Date: 12/9/2023 - To Payment Date: 12/15/2023
Reconciled/
Transaction Reconciled
Number
Date Status
Void Reason
Voided Date Source Payee Name
Amount Amount Difference
733759
12/15/2023 Open
Accounts Payable County of Santa Clara -Office of the
$2,428.00
Sheriff
Invoice
Date
Description
Amount
1800087937
12/12/2023
Other Supplemental Law Enforcement Apple Park
$1,276.00
Traffic Control
1800087936
12/12/2023
Other Supplemental Law Enforcement Main Street
$1,152.00
Office Security
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$2,428.00
Cash)
733760
12/15/2023 Open
Accounts Payable Department of Transportation
$697.76
Invoice
Date
Description
Amount
SL240169
11/16/2023
Signals & Lighting Billed through 072023-092023
$697.76
Paying Fund
Cash Account
Amount
100 -General Fund
100 100-100 (Cash & Investments Assets Operating
$697.76
Cash)
733761
12/15/2023 Open
Accounts Payable Eisenhauer's Catering & Events
$2,864.53
Invoice
Date
Description
Amount
50595
11/27/2023
Mayors Appreciation Commissioner Dinner
$2,864.53
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$2,864.53
Cash)
733762
12/15/2023 Open
Accounts Payable FEDEX
$38.82
Invoice
Date
Description
Amount
8-334-39312
12/01/2023
Shipping Svcs - IT
$25.63
8-320-46993
11/17/2023
Shipping Services - IT
$13.19
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$38.82
Cash)
733763
12/15/2023 Open
Accounts Payable Helm, LLC
$800.00
Invoice
Date
Description
Amount
INVH23377
12/11/2023
VCM Software Renewal 11/17/23 - 11/16/2024
$800.00
Paying Fund
Cash Account
Amount
610 - Innovation & Technology
610 100-100 (Cash & Investments Assets Operating
$800.00
Cash)
733764
12/15/2023 Open
Accounts Payable Homestead 76
$109.96
Invoice
Date
Description
Amount
202311
12/01/2023
Fleet- Carwash Services Nov 2023
$109.96
Paying Fund
Cash Account
Amount
630 - Vehicle/Equip Replacement
630 100-100 (Cash & Investments Assets Operating
$109.96
Cash)
733765
12/15/2023 Open
Accounts Payable IMSA
$90.00
Invoice
Date
Description
Amount
JohnR112723
11/27/2023
John R- IMSA Certification Renewal 11.17.23
$90.00
Paying Fund
Cash Account
Amount
270 - Transportation Fund
270 100-100 (Cash & Investments Assets Operating
$90.00
Cash)
user: Vi Tran Pages: 5 of 21 Monday, December 18, 2023
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Payment Register
From Payment Date: 12/9/2023 - To Payment Date: 12/15/2023
Reconciled/
Transaction Reconciled
Number
Date Status
Void Reason
Voided Date Source Payee Name
Amount Amount Difference
733766
12/15/2023 Open
Accounts Payable Monica Diaz
$868.47
Invoice
Date
Description
Amount
MonicaD12062023
12/06/2023
Reimbursement for CACEO Conference - Monica Diaz
$868.47
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$868.47
Cash)
733767
12/15/2023 Open
Accounts Payable Mood Media
$114.18
Invoice
Date
Description
Amount
57905103
12/01/2023
MOOD MEDIA Recurring Services from 01-DEC-23 to
$114.18
31-DEC-23
Paying Fund
Cash Account
Amount
570 - Sports Center
570 100-100 (Cash & Investments Assets Operating
$114.18
Cash)
733768
12/15/2023 Open
Accounts Payable Napa Auto Parts
$572.18
Invoice
Date
Description
Amount
711557
11/20/2023
Fleet- Break Away System, 6 Round Vehicle Side
$152.67
711990
11/28/2023
Fleet- Transit Valves
$35.39
712449
12/05/2023
Fleet- LED Signal Stat, Spin -On Fluid Filter
$384.12
Paying Fund
Cash Account
Amount
630 - Vehicle/Equip Replacement
630 100-100 (Cash & Investments Assets Operating
$572.18
Cash)
733769
12/15/2023 Open
Accounts Payable O'Reilly Auto Parts
$13.03
Invoice
Date
Description
Amount
2591-334352
12/05/2023
Fleet- Oil Filter
$13.03
Paying Fund
Cash Account
Amount
630 - Vehicle/Equip Replacement
630 100-100 (Cash & Investments Assets Operating
$13.03
Cash)
733770
12/15/2023 Open
Accounts Payable PARS or Public Agency Retirement
$625.00
Services.
Invoice
Date
Description
Amount
54093
10/06/2023
ARS-PARS Fees (CA) - Annual Participant Statement
$625.00
Fee
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$625.00
Cash)
733771
12/15/2023 Open
Accounts Payable PG&E
$102.14
Invoice
Date
Description
Amount
4212-112823
11/28/2023
3535370421-210/20/23-11/19/23
$102.14
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$102.14
Cash)
733772
12/15/2023 Open
Accounts Payable PG&E
$26,160.94
Invoice
Date
Description
Amount
3296-113023
11/30/2023
5116972329-610/24/23-11/21/23
$26,160.94
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$26,160.94
Cash)
user: Vi Tran Pages: 6 of 21 Monday, December 18, 2023
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Payment Register
From Payment Date: 12/9/2023 - To Payment Date: 12/15/2023
Reconciled/ Transaction Reconciled
Number Date Status Void Reason Voided Date Source Payee Name Amount Amount Difference
733773 12/15/2023 Open Accounts Payable PG&E $246.00
Invoice
Date
Description
Amount
0349-112723
11/27/2023
3042033034-910/19/23-11/16/23
$246.00
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$246.00
Cash)
733774
12/15/2023 Open
Accounts Payable PG&E
$127.46
Invoice
Date
Description
Amount
8413-112923
11/29/2023
4685859841-310/23/23-11/20/23
$127.46
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$127.46
Cash)
733775
12/15/2023 Open
Accounts Payable PG&E
$6.13
Invoice
Date
Description
Amount
0719-112723
11/27/2023
9223068071-910/19/23-11/16/23
$6.13
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$6.13
Cash)
733776
12/15/2023 Open
Accounts Payable PG&E
$59.00
Invoice
Date
Description
Amount
5875-111923
11/19/2023
2012160587-510/19/23-11/17/23
$59.00
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$59.00
Cash)
733777
12/15/2023 Open
Accounts Payable PG&E
$169.76
Invoice
Date
Description
Amount
9785-113023
11/30/2023
2016881978-510/20/23-11/19/23
$169.76
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$169.76
Cash)
733778
12/15/2023 Open
Accounts Payable Play -Well TEKnologies
$1,320.00
Invoice
Date
Description
Amount
PLAYWELL_FAL23-2
12/01/2023
PLAYWELL_FALL23-24_PAYMENT 2 11.20-22
$1,320.00
Paying Fund
Cash Account
Amount
580 - Recreation Program
580 100-100 (Cash & Investments Assets Operating
$1,320.00
Cash)
733779
12/15/2023 Open
Accounts Payable Qless, Inc.
$6,755.00
Invoice
Date
Description
Amount
INV-13479
12/07/2023
Mobile Queuing Platform subscription fee 3/1/24 -
$6,755.00
2/28/25
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$6,755.00
Cash)
733780
12/15/2023 Open
Accounts Payable ReadyRefresh
$179.87
Invoice
Date
Description
Amount
13L0027344639
12/08/2023
Citywide Water
$179.87
Paying Fund
Cash Account
Amount
user: Vi Tran Pages: 7 of 21 Monday, December 18, 2023
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Payment Register
From Payment Date: 12/9/2023 - To Payment Date: 12/15/2023
Reconciled/ Transaction Reconciled
Number Date Status Void Reason Voided Date Source Payee Name Amount Amount Difference
100 - General Fund 100 100-100 (Cash & Investments Assets Operating $179.87
Cash)
733781
12/15/2023 Open
Accounts Payable Regional Government Services
$1,050.00
Invoice
Date
Description
Amount
Winter2024
12/11/2023
Winter 2024 Virtual Lead/Senior Worker Academy_
$1,050.00
Marilyn Pavlov
Paying Fund
Cash Account
Amount
610 - Innovation & Technology
610 100-100 (Cash & Investments Assets Operating
$1,050.00
Cash)
733782
12/15/2023 Open
Accounts Payable SAN JOSE WATER COMPANY
$4,217.99
Invoice
Date
Description
Amount
SJW103023-0
10/30/2023
0067500000-4 - Oro Grande PL LS
$225.34
SJW103023-1
10/30/2023
0879200000-5 - Stelling Rd. LS
$676.72
SJW103023-2
10/30/2023
1731610000-1 - De Anza Blvd.S.
$603.51
SJW103023-3
10/30/2023
4242600000-8 - Irrigation -Median (Bollinger Rd)
$181.45
SJW103023-4
10/30/2023
4862898282-8 - 10455 Torre Ave
$477.25
SJW103023-5
10/30/2023
5280181221-6 - S De Anza BI (median irrigation)
$425.99
SJW103023-6
10/30/2023
5461910000-8 - De Anza Blvd.S.
$654.76
SJW103023-7
10/30/2023
5949902723-9 - Creekline Dr
$360.05
SJW103023-8
10/30/2023
9705420000-7 - 10300 Torre Avenue Ls
$612.92
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$4,217.99
Cash)
733783
12/15/2023 Open
Accounts Payable SAN JOSE WATER COMPANY
$6,567.56
Invoice
Date
Description
Amount
SJW103123-0
10/31/2023
3156700000-0 - Prospect Rd.LS
$184.40
SJW103123-1
10/31/2023
4676110000-0 - Rainbow Dr.LS
$263.32
SJW103123-2
10/31/2023
6756510000-4 - Yorkshire Dr.LS
$5,200.83
SJW103123-3
10/31/2023
7808300000-6 - Irrigation -Median (Westlynn Wy)
$200.40
SJW103123-4
10/31/2023
9511610000-9 - Donegal Dr.
$115.50
7329-11292023
11/29/2023
0645365732-9 Streets Division 10.24.23 to 11.26.23
$603.11
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$5,964.45
Cash)
230 - Env Mgmt Cln Crk Strm Drain
230 100-100 (Cash & Investments Assets Operating
$603.11
Cash)
733784
12/15/2023 Open
Accounts Payable Santa Clara County Cities Managers'
$300.00
Association, (SCCCMA)
Invoice
Date
Description
Amount
12132023
12/13/2023
SCCCMA Holiday Party, Pamela, Matt,Tina,Debra
$300.00
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$300.00
Cash)
733785
12/15/2023 Open
Accounts Payable South Bay Foundry
$13,758.69
Invoice
Date
Description
Amount
0233616
12/13/2023
Streets - Storm Drain Grate Replacements
$13,758.69
Paving Fund
Cash Account
Amount
user: Vi Tran Pages: 8 of 21 Monday, December 18, 2023
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Payment Register
From Payment Date: 12/9/2023 - To Payment Date: 12/15/2023
Reconciled/
Transaction Reconciled
Number
Date Status
Void Reason
Voided Date Source Payee Name
Amount Amount Difference
230 - Env Mgmt Cln Crk Strm Drain
230 100-100 (Cash & Investments Assets Operating
$13,758.69
Cash)
733786
12/15/2023 Open
Accounts Payable State Water Resources Control Board
$26,498.00
Invoice
Date
Description
Amount
SW-0268418
11/09/2023
Water Board Annual Permit Fees- FY23-24
$26,498.00
Paying Fund
Cash Account
Amount
230 - Env Mgmt Cln Crk Strm Drain
230 100-100 (Cash & Investments Assets Operating
$26,498.00
Cash)
733787
12/15/2023 Open
Accounts Payable The Regents of the University of
$340.58
California
Invoice
Date
Description
Amount
11128326
10/04/2023
CA Subdivision Map Act 2d Up 23
$340.58
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$340.58
Cash)
733788
12/15/2023 Open
Accounts Payable The State Bar of California
$1,180.00
Invoice
Date
Description
Amount
I_C1908F8C_10714
12/06/2023
2024 State Bar Dues, CDJ 235108 and MKTW 158281
$1,180.00
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$1,180.00
Cash)
733789
12/15/2023 Open
Accounts Payable TransUnion Risk and Alternative
$165.00
Invoice
Date
Description
Amount
6110432-202311-1
12/01/2023
Tlo 11/01/2023 - 11/30/2023
$165.00
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$165.00
Cash)
733790
12/15/2023 Open
Accounts Payable United Site Services
$273.90
Invoice
Date
Description
Amount
114-13735601
11/09/2023
portable toilet at compost site Nov 2023 ADA service
$54.00
114-13743657
11/21/2023
portable toilet at compost site Nov -Dec 2023
$219.90
Paying Fund
Cash Account
Amount
520 - Resource Recovery
520 100-100 (Cash & Investments Assets Operating
$273.90
Cash)
733791
12/15/2023 Open
Accounts Payable AAA FURNACE
$244.00
Invoice
Date
Description
Amount
332183
12/07/2023
REFUND 10672 CULBERTSON DR BLD- 2023-2261
$244.00
OVERPAYMENT
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$244.00
Cash)
733792
12/15/2023 Open
Accounts Payable Edmonds, Christopher
$72.00
Invoice
Date
Description
Amount
2024-00000321
11/30/2023
Christopher Edmonds Livescan Reimbursement
$72.00
Paying Fund
Cash Account
Amount
100 -General Fund
100 100-100 (Cash & Investments Assets Operating
$72.00
Cash)
user: Vi Tran Pages: 9 of 21 Monday, December 18, 2023
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Payment Register
From Payment Date: 12/9/2023 - To Payment Date: 12/15/2023
Reconciled/
Transaction Reconciled
Number
Date Status
Void Reason
Voided Date Source Payee Name
Amount Amount Difference
733793
12/15/2023 Open
Accounts Payable EDWARD GORGINIAN
$473.50
Invoice
Date
Description
Amount
334031
12/07/2023
REFUND 10296 ALPINE DR BLD-2023-2655
$473.50
WITHDRAWN
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$473.50
Cash)
733794
12/15/2023 Open
Accounts Payable Hye Jin Song
$173.00
Invoice
Date
Description
Amount
Song110823
11/08/2023
The applicant applied the license by mistake
$173.00
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$173.00
Cash)
733795
12/15/2023 Open
Accounts Payable LIAO, JASON
$7,000.00
Invoice
Date
Description
Amount
214420
12/12/2023
10094 Tantau Ave, Encroachment, 214420
$7,000.00
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$7,000.00
Cash)
733796
12/15/2023 Open
Accounts Payable TESLA ENERGY
$250.25
Invoice
Date
Description
Amount
319490
12/11/2023
REFUND 21426 AMULET DR BLD-2023-0019
$250.25
WITHDRAWN
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$250.25
Cash)
733797
12/15/2023 Open
Accounts Payable TESLA ENERGY
$202.70
Invoice
Date
Description
Amount
321334
12/11/2023
REFUND 6362 BLACKWOOD DR BLD-2023-0328
$202.70
WITHDRAWN
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$202.70
Cash)
733798
12/15/2023 Open
Accounts Payable TESLA ENERGY
$279.34
Invoice
Date
Description
Amount
325265
12/11/2023
REFUND 1154 KENTWOOD AVE BLD-2023-1060
$279.34
WITHDRAWN
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$279.34
Cash)
733799
12/15/2023 Open
Accounts Payable TESLA ENERGY, INC
$280.05
Invoice
Date
Description
Amount
313613
12/07/2023
REFUND 10195 WESTERN DR BLD-2022-1428
$280.05
WITHDRAWN
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$280.05
Cash)
Type Check Totals:
53 Transactions
$146,038.22
user: Vi Tran Pages: 10 of 21 Monday, December 18, 2023
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Payment Register
From Payment Date: 12/9/2023 - To Payment Date: 12/15/2023
Reconciled/ Transaction Reconciled
Number Date Status Void Reason Voided Date Source Payee Name Amount Amount Difference
EFT
38591 12/11/2023 Open Accounts Payable EMPLOYMENT DEVEL DEPT $56,824.86
Invoice Date Description Amount
12012023 12/01/2023 CA State Tax pp 11/18/23-12/1/23 $56,824.86
Paying Fund Cash Account Amount
100 - General Fund 100 100-100 (Cash & Investments Assets Operating $56,824.86
Cash)
38592 12/11/2023 Open Accounts Payable IRS
Invoice Date Description Amount
12012023 12/01/2023 Federal Tax pp 11/18/23-12/1/23 $191,766.17
Paying Fund Cash Account Amount
100 - General Fund 100 100-100 (Cash & Investments Assets Operating $191,766.17
Cash)
38593 12/14/2023 Open Accounts Payable P E R S
Invoice Date Description Amount
12012023 12/01/2023 PERS pp 11/18/23-12/1/23 $223,796.05
Paying Fund Cash Account Amount
100 - General Fund 100 100-100 (Cash & Investments Assets Operating $223,796.05
Cash)
38594 12/13/2023 Open Accounts Payable TASC
Invoice Date Description Amount
IN2957073 12/12/2023 HRA- Administration Fees 12/1/23-12/31/23 $473.28
Paying Fund Cash Account Amount
100 -General Fund 100 100-100 (Cash & Investments Assets Operating $473.28
Cash)
38595 12/13/2023 Open Accounts Payable TASC
Invoice Date Description Amount
IN2957074 12/12/2023 FSA- Administration Fees 12/1/23-12/31/23 $234.10
Paying Fund Cash Account Amount
100 - General Fund 100 100-100 (Cash & Investments Assets Operating $234.10
Cash)
38596 12/15/2023 Open
Accounts Payable JOYFUL MELODIES
Invoice
Date
Description
Amount
JOY_FALL23_1
12/13/2023
JOYFUL_ FALL_ 9.11-12.13_PAYMENT1
$7,755.00
Paying Fund
Cash Account
Amount
580 - Recreation Program
580 100-100 (Cash & Investments Assets Operating
$7,755.00
Cash)
38597 12/15/2023 Open
Accounts Payable ABAG POWER- ASSOCIATION
OF
BAY AREA GOVERNMENTS
Invoice
Date
Description
Amount
AR033930
12/01/2023
FY 24 AMD Level Charge -Nat Gas
$7,864.56
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$7,079.34
Cash)
570 - Sports Center
570 100-100 (Cash & Investments Assets Operating
$785.22
Cash)
$191,766.17
$223,796.05
$473.28
$234.10
$7,755.00
$7,864.56
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Payment Register
From Payment Date: 12/9/2023 - To Payment Date: 12/15/2023
Reconciled/
Transaction Reconciled
Number
Date Status
Void Reason
Voided Date Source Payee Name
Amount Amount Difference
38598
12/15/2023 Open
Accounts Payable Amazon Capital Services
$1,405.98
Invoice
Date
Description
Amount
1 NDN-76V7-CTP7
12/01/2023
Fiber based cups and plates and napkins for service
$89.13
awards lunch
1JYJ-VKLK-4VDQ
11/01/2023
1x Laptop Battery Replacement Latitude 7424,
$425.45
Designjet Printhea
1KV1-6VRQ-97LR
11/01/2023
5x Wireless Keyboard and Mouse Combo, 1x Hanwha
$413.22
Adapter & mount
136J-N776-GC64
12/01/2023
Amazon Purchases Nov 2023 - PR2 Senior Wellness
$478.18
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$478.18
Cash)
520 - Resource Recovery
520 100-100 (Cash & Investments Assets Operating
$89.13
Cash)
610 - Innovation & Technology
610 100-100 (Cash & Investments Assets Operating
$838.67
Cash)
38599
12/15/2023 Open
Accounts Payable Amazon Web Services, Inc.
$2,727.00
Invoice
Date
Description
Amount
1508026929
12/02/2023
GIS AWS November 1 -November 30, 2023
$1,280.45
1522530517
12/03/2023
AWS Applications November 1 - November 30, 2023
$1,446.55
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$1,446.55
Cash)
610 - Innovation & Technology
610 100-100 (Cash & Investments Assets Operating
$1,280.45
Cash)
38600
12/15/2023 Open
Accounts Payable Andy Badal
$165.00
Invoice
Date
Description
Amount
AndyB112823
11/28/2023
Andy 408-857-0630 cell reimbursement Aug 29 - Nov.
$165.00
28, 2023
Paying Fund
Cash Account
Amount
610 - Innovation & Technology
610 100-100 (Cash & Investments Assets Operating
$165.00
Cash)
38601
12/15/2023 Open
Accounts Payable Avolve Software Corp
$393.75
Invoice
Date
Description
Amount
8268
11/30/2023
ProjectDox mote to SaaS - Professional Services:
$393.75
Data Migration
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$393.75
Cash)
38602
12/15/2023 Open
Accounts Payable Baker Tilly US, LLP
$402.50
Invoice
Date
Description
Amount
BT2622249
12/05/2023
Executive Coaching For PWu
$402.50
Paying Fund
Cash Account
Amount
100 -General Fund
100 100-100 (Cash & Investments Assets Operating
$402.50
Cash)
38603
12/15/2023 Open
Accounts Payable Baseline Environmental Consulting
$4,887.50
Invoice
Date
Description
Amount
23308-02.001
11/10/2023
20564 Kirwin Ln Phase 1 Peer Review 2023/10
$3,025.00
23308-01.001
11/10/2023
11841 Upland Phase 1 Peer Review 2023/10
$1,862.50
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Payment Register
From Payment Date: 12/9/2023 - To Payment Date: 12/15/2023
Reconciled/
Number Date Status Void Reason Voided Date Source
Name
Transaction Reconciled
Amount Amount Difference
100 -General Fund
100 100-100 (Cash & Investments Assets Operating
$4,887.50
Cash)
38604 12/15/2023 Open
Accounts Payable BATTERIES PLUS BULBS
#475 $116.50
Invoice
Date
Description
Amount
P68346010
12/06/2023
Facilities- 3V Batteries, 6V Batteries, Battery Pack
$116.50
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$116.50
Cash)
38605 12/15/2023 Open
Accounts Payable Battery Systems Inc.
$1,200.27
Invoice
Date
Description
Amount
35322312051434
12/06/2023
Fleet- Automotive Core Charges
$291.45
35322312061228
12/08/2023
Fleet- Automotive, Commercial, Marine Core Charges
$908.82
Paying Fund
Cash Account
Amount
630 - Vehicle/Equip Replacement
630 100-100 (Cash & Investments Assets Operating
$1,200.27
Cash)
38606 12/15/2023 Open
Accounts Payable BKF Engineers
$468.68
Invoice
Date
Description
Amount
23120309
12/01 /2023
Jollyman Park - ADA Improements through 10302023-
$346.88
11262023
23120308
12/01/2023
Jollyman Park Playground Restroom through
$121.80
10302023-11262023
Paying Fund
Cash Account
Amount
420 - Capital Improvement Fund
420 100-100 (Cash & Investments Assets Operating
$468.68
Cash)
38607
12/15/2023 Open
Accounts Payable BRIAN GATHERS
$55.00
Invoice
Date
Description
Amount
BrianG120423
12/04/2023
Cell Phone Reimbursement - Brian G 11.05.23 to
$55.00
12.04.23
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$55.00
Cash)
38608
12/15/2023 Open
Accounts Payable Bubble Marketing LLC
$538.80
Invoice
Date
Description
Amount
41022
11/30/2023
C-900 Club Wipes
$538.80
Paying Fund
Cash Account
Amount
570 - Sports Center
570 100-100 (Cash & Investments Assets Operating
$538.80
Cash)
38609
12/15/2023 Open
Accounts Payable CAROL KORADE
$29.13
Invoice
Date
Description
Amount
December2023
12/11/2023
Reimbursement for December 2023
$29.13
Paying Fund
Cash Account
Amount
642 - Retiree Medical
642 100-100 (Cash & Investments Assets Operating
$29.13
Cash)
38610
12/15/2023 Open
Accounts Payable Clear-Com LLC
$646.87
Invoice
Date
Description
Amount
40055024
11/29/2023
Repair of FSII Freespeak Basestation
$646.87
Paying Fund
Cash Account
Amount
user: Vi Tran Pages: 13 of 21 Monday, December 18, 2023
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Payment Register
From Payment Date: 12/9/2023 - To Payment Date: 12/15/2023
Reconciled/
Transaction Reconciled
Number
Date Status
Void Reason
Voided Date Source Payee Name
Amount Amount Difference
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$646.87
Cash)
38611
12/15/2023 Open
Accounts Payable CLEARBLU ENVIRONMENTAL
$884.68
Invoice
Date
Description
Amount
31050
12/08/2023
Street- Nov 2023 Preventive Maint.
$884.68
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$884.68
Cash)
38612
12/15/2023 Open
Accounts Payable CodeLinkd, LLC
$5,091.00
Invoice
Date
Description
Amount
CODEL_FALL2023-1
12/01/2023
CODELINKD_FALL23-24_PAYMENT1
$5,091.00
Paying Fund
Cash Account
Amount
580 - Recreation Program
580 100-100 (Cash & Investments Assets Operating
$5,091.00
Cash)
38613
12/15/2023 Open
Accounts Payable COLLEEN FERRIS
$55.00
Invoice
Date
Description
Amount
ColleenF111623
11/16/2023
cell phone service CF 10/17 - 11/16
$55.00
Paying Fund
Cash Account
Amount
570 - Sports Center
570 100-100 (Cash & Investments Assets Operating
$55.00
Cash)
38614
12/15/2023 Open
Accounts Payable Con -Quest Contractors,
Inc.
$434,924.91
Invoice
Date
Description
Amount
05.R1, 2022-01
11/25/2023
Pumpkin -Fiesta Storm Drain Improvement through
$434,924.91
11252023
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
($22,890.78)
Cash)
210 - Storm Drain Improvement
210 100-100 (Cash & Investments Assets Operating
$457,815.69
Cash)
38615
12/15/2023 Open
Accounts Payable Cupertino Supply, Inc
$119.00
Invoice
Date
Description
Amount
340245
12/13/2023
Facilities- Wall Mount Faucet, Brass Nipple, Pipe
$119.00
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$119.00
Cash)
38616
12/15/2023 Open
Accounts Payable Geotab USA, Inc
$2,815.25
Invoice
Date
Description
Amount
IN363875
11/30/2023
FY24 Geotab for Telematics ProPlus Plan, Support
$2,815.25
Nov. 2023
Paying Fund
Cash Account
Amount
610 - Innovation & Technology
610 100-100 (Cash & Investments Assets Operating
$2,815.25
Cash)
38617
12/15/2023 Open
Accounts Payable GRAINGER INC
$1,360.77
Invoice
Date
Description
Amount
9924057723
12/05/2023
Facilities- Fluorescent Lighting Dimmer
$81.44
9924057707
12/05/2023
Facilities- Magnetic Contactor
$22.02
9926636979
12/06/2023
Facilities- Electronic Timer
$322.73
9906891297
11/15/2023
Fleet- Mobile Grease
$217.82
user: Vi Tran Pages: 14 of 21 Monday, December 18, 2023
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Payment Register
From Payment Date: 12/9/2023 - To Payment Date: 12/15/2023
Reconciled/
Transaction Reconciled
Number
Date Status
Void Reason
Voided Date Source Payee Name
Amount Amount Difference
9931726963
12/11/2023
Facilities - Service Center Knee Pads Hard Sheel
$716.76
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$1,142.95
Cash)
630 - Vehicle/Equip Replacement
630 100-100 (Cash & Investments Assets Operating
$217.82
Cash)
38618
12/15/2023 Open
Accounts Payable HdL Coren & Cone
$5,058.86
Invoice
Date
Description
Amount
SIN032821
10/25/2023
Contract Services Property Tax: October - December
$5,058.86
2023
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$5,058.86
Cash)
38619
12/15/2023 Open
Accounts Payable Health and Human Resource
Center,
$287.62
Inc.
Invoice
Date
Description
Amount
E0306234
11/10/2023
November 2023 EAP BENEFIT
$287.62
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$287.62
Cash)
38620
12/15/2023 Open
Accounts Payable Health Care Employees
$29,260.80
Invoice
Date
Description
Amount
341190-341191
11/17/2023
December 2023 Dental Benefit
$29,260.80
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$29,260.80
Cash)
38621
12/15/2023 Open
Accounts Payable HF&H Consultants, LLC
$80,892.50
Invoice
Date
Description
Amount
9720737
11/27/2023
Master Agreement- October 2023 Services
$80,892.50
Paying Fund
Cash Account
Amount
520 - Resource Recovery
520 100-100 (Cash & Investments Assets Operating
$80,892.50
Cash)
38622 12/15/2023 Open
Accounts Payable IMPEC GROUP INC_
$67,835.00
Invoice
Date
Description
Amount
2311132
11/30/2023
Facilities - November 2023 Janitorial Services
$67,835.00
Paying Fund
Cash Account
Amount
100 -General Fund
100 100-100 (Cash & Investments Assets Operating
$58,308.00
Cash)
560 - Blackberry Farm
560 100-100 (Cash & Investments Assets Operating
$1,159.00
Cash)
570 - Sports Center
570 100-100 (Cash & Investments Assets Operating
$8,368.00
Cash)
38623 12/15/2023 Open
Accounts Payable Independent Code Consultants, Inc. $8,140.00
Invoice
Date
Description
Amount
1871
12/01/2023
Building Plan Review Services - 2023/11
$2,250.00
1873
12/01/2023
Building Permit Tech Services - 2023/11
$5,265.00
1872
12/01/2023
Building Plan Review Services - 2023/11 Westport
$625.00
Pavina Fund
Cash Account
Amount
user: Vi Tran Pages: 15 of 21 Monday, December 18, 2023
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Payment Register
From Payment Date: 12/9/2023 - To Payment Date: 12/15/2023
Reconciled/
Transaction Reconciled
Number
Date Status
Void Reason
Voided Date Source Payee Name
Amount Amount Difference
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$8,140.00
Cash)
38624
12/15/2023 Open
Accounts Payable InservH2O Inc.
$834.80
Invoice
Date
Description
Amount
3427
12/01 /2023
Facilities- Water Treatment Dec 2023
$834.80
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$834.80
Cash)
38625
12/15/2023 Open
Accounts Payable Joe A. Gonsalves & Son
$4,500.00
Invoice
Date
Description
Amount
161175
11/16/2023
December 2023 Services
$4,500.00
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$4,500.00
Cash)
38626
12/15/2023 Open
Accounts Payable KEVIN GREENE
$55.00
Invoice
Date
Description
Amount
KevinG111823
11/18/2023
Cell Phone Reimbursement - Kevin G 10.19.23 to
$55.00
11.18.23
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$55.00
Cash)
38627
12/15/2023 Open
Accounts Payable Life Insurance Company of North
$9,115.16
America
Invoice
Date
Description
Amount
15487 120123
12/11/2023
December 2023 NEW YORK LIFE
$9,115.16
Paying Fund
Cash Account
Amount
641 - Compensated Absence/LTD
641 100-100 (Cash & Investments Assets Operating
$9,115.16
Cash)
38628
12/15/2023 Open
Accounts Payable Mami Weber
$3,088.80
Invoice
Date
Description
Amount
MAM_FALL23-1
12/13/2023
MAMIWEBBER_FALL23_9.8-12.8_PAYMENT 1
$3,088.80
Paying Fund
Cash Account
Amount
580 - Recreation Program
580 100-100 (Cash & Investments Assets Operating
$3,088.80
Cash)
38629
12/15/2023 Open
Accounts Payable Matrix Consulting Group,
Ltd
$23,400.00
Invoice
Date
Description
Amount
675-23 #4
10/11 /2023
Fee Study & Cost Allocation Plan study services
$4,800.00
9/1 /23-9/29/23
675-23 #5
11/06/2023
Fee Study & Cost Allocation Plan study services
$9,400.00
10/2/23-10/31 /23
675-23 #6
12/08/2023
Fee Study & Cost Allocation Plan study services
$9,200.00
11 /1 /23-11 /30/23
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$23,400.00
Cash)
user: Vi Tran Pages: 16 of 21 Monday, December 18, 2023
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Payment Register
From Payment Date: 12/9/2023 - To Payment Date: 12/15/2023
Reconciled/
Transaction Reconciled
Number
Date Status
Void Reason
Voided Date Source Payee Name
Amount Amount Difference
38630
12/15/2023 Open
Accounts Payable Nexinite, LLC
$2,780.00
Invoice
Date
Description
Amount
INV-002351
12/05/2023
FY24 Support for CIP management Hub November
$780.00
2023
INV-002350
12/05/2023
FY24 Form Digitization Service November 2023
$2,000.00
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$2,000.00
Cash)
610 - Innovation & Technology
610 100-100 (Cash & Investments Assets Operating
$780.00
Cash)
38631
12/15/2023 Open
Accounts Payable Nomad Transit LLC
$140,388.79
Invoice
Date
Description
Amount
INV001-9594
11/30/2023
Via Cupertino Shuttle for November 2023
$140,388.79
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$140,388.79
Cash)
38632
12/15/2023 Open
Accounts Payable OMEGA INDUSTRIAL
SUPPLY, INC.
$276.99
Invoice
Date
Description
Amount
153958
12/07/2023
Fleet- A1261, A1010 T-Ease
$276.99
Paying Fund
Cash Account
Amount
630 - Vehicle/Equip Replacement
630 100-100 (Cash & Investments Assets Operating
$276.99
Cash)
38633
12/15/2023 Open
Accounts Payable One Day Installation and Repairs, Inc
$15,589.00
Invoice
Date
Description
Amount
5933
12/04/2023
Tress/ROW- De Anza Blvd. Pillar Repairs
$15,589.00
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$15,589.00
Cash)
38634
12/15/2023 Open
Accounts Payable PLAN JPA
$4,456.96
Invoice
Date
Description
Amount
PLAN-2024-0099
12/11/2023
General Liability Claims - November 2023
$4,456.96
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$4,456.96
Cash)
38635
12/15/2023 Open
Accounts Payable Professional Turf Management, Inc.
$18,693.56
Invoice
Date
Description
Amount
1282
11/30/2023
Grounds - Nov 2023 Golf Course Maint.
$18,693.56
Paying Fund
Cash Account
Amount
560 - Blackberry Farm
560 100-100 (Cash & Investments Assets Operating
$18,693.56
Cash)
38636
12/15/2023 Open
Accounts Payable Red Wing Business Advantage
$1,173.74
Account
Invoice
Date
Description
Amount
20231210075899
12/10/2023
Safety Boots for Building Inspectors
$1,173.74
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$1,173.74
Cash)
user: Vi Tran Pages: 17 of 21 Monday, December 18, 2023
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Payment Register
From Payment Date: 12/9/2023 - To Payment Date: 12/15/2023
Reconciled/
Transaction Reconciled
Number
Date Status
Void Reason
Voided Date Source Payee Name
Amount Amount Difference
38637
12/15/2023 Open
Accounts Payable Ross Recreation Equipment, Inc.
$2,594.13
Invoice
Date
Description
Amount
124396
11/20/2023
Grounds - McClellan Park Schryver
$2,594.13
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$2,594.13
Cash)
38638
12/15/2023 Open
Accounts Payable SCA of CA, LLC
$18,563.57
Invoice
Date
Description
Amount
107381 CS
10/31 /2023
Street Sweeping- October 2023
$18,563.57
Paying Fund
Cash Account
Amount
230 - Env Mgmt Cln Crk Strm Drain
230 100-100 (Cash & Investments Assets Operating
$9,281.78
Cash)
520 - Resource Recovery
520 100-100 (Cash & Investments Assets Operating
$9,281.79
Cash)
38639
12/15/2023 Open
Accounts Payable Snapology of Los Gatos
$2,178.00
Invoice
Date
Description
Amount
SNAP_FALL23-24_1
12/01/2023
SNAPOLOGY_FALL23_10.28-11.22_PAYMENT1
$2,178.00
Paying Fund
Cash Account
Amount
580 - Recreation Program
580 100-100 (Cash & Investments Assets Operating
$2,178.00
Cash)
38640
12/15/2023 Open
Accounts Payable SUNNYVALE FORD, INC.
$462.21
Invoice
Date
Description
Amount
229191 FOW
11/29/2023
Fleet- HV Starter
$424.15
229139FOW
11/29/2023
Fleet- HV Handle
$38.06
Paying Fund
Cash Account
Amount
630 - Vehicle/Equip Replacement
630 100-100 (Cash & Investments Assets Operating
$462.21
Cash)
38641
12/15/2023 Open
Accounts Payable Superco Specialty Products
$308.68
Invoice
Date
Description
Amount
PS1533480
12/01/2023
Street- Cover Up Asphalt
$308.68
Paying Fund
Cash Account
Amount
270 - Transportation Fund
270 100-100 (Cash & Investments Assets Operating
$308.68
Cash)
38642
12/15/2023 Open
Accounts Payable THE HARTFORD
$12,108.79
Invoice
Date
Description
Amount
656348125515
12/11/2023
December 2023 Life and AD&D Benefit
$11,815.20
756340275020
12/11/2023
December 2023
$293.59
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$12,108.79
Cash)
38643
12/15/2023 Open
Accounts Payable TPx Communications
$2,195.54
Invoice
Date
Description
Amount
176016323-0
11/30/2023
Telephone Service for new VoIP System Nov. 2023
$2,195.54
Paying Fund
Cash Account
Amount
610 - Innovation & Technology
610 100-100 (Cash & Investments Assets Operating
$2,195.54
Cash)
user: Vi Tran Pages: 18 of 21 Monday, December 18, 2023
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Payment Register
From Payment Date: 12/9/2023 - To Payment Date: 12/15/2023
Reconciled/
Transaction Reconciled
Number Date Status
Void Reason
Voided Date Source Payee Name
Amount Amount Difference
38644 12/15/2023 Open
Accounts Payable Turf Star, Inc.
$10.69
Invoice
Date
Description
Amount
7305131-02
11/15/2023
Fleet- Cap -Dust Coupler
$10.69
Paying Fund
Cash Account
Amount
630 - Vehicle/Equip Replacement
630 100-100 (Cash & Investments Assets Operating
$10.69
Cash)
38645 12/15/2023 Open
Accounts Payable US BANK
$23,554.38
Invoice
Date
Description
Amount
RobertK111523
11/15/2023
7858 CC Charges
$109.49
KimL11152023
11/15/2023
5169 CC Charges
$107.49
JerryA111523
11/15/2023
8636 CC Charges
$1,385.00
BrianG111523
11/15/2023
6202 CC Charges
$60.00
MelissaR111523
11/15/2023
0572 CC Charges
$459.66
KrisG111523
11/15/2023
6959 CC Charges
$1,373.20
LeungK111523
11/15/2023
1733 CC Charges
$83.12
AmandaH111523
11/15/2023
9326 CC Charges
$83.44
KarenL111523
11/15/2023
9612CCCharges
$1,085.91
DebraN111523
11/15/2023
3328 CC Charges
$4,096.69
AndrewS111523
11/15/2023
9993 CC Charges
$256.63
CesarG111523
11/15/2023
9076 CC Charges
$205.66
RicardoA111523
11/15/2023
9906 CC Charges
$60.00
RobertG111523
11/15/2023
0760 CC Charges
$56.88
ShawnT111523
11/15/2023
9157 CC Charges
$955.00
TyB111523
11/15/2023
7739 CC Charges
$62.32
KavithaA111523
11/15/2023
7567 CC Charges
$3,018.42
KennethE111523
11/15/2023
6671 CC Charges
$52.99
BrantonC111523
11/15/2023
5320 CC Charges
$1,673.61
CherieW11152023
11/15/2023
6916 CC Charges
$713.76
AlexC11152023
11/15/2023
5300 CC Charges
$187.65
ReiD111523
11/15/2023
1409CC Charges
$476.98
JasonB111523
11/15/2023
3965 CC Charges
$26.52
MarilynP111523
11/15/2023
6763 CC Charges
$1,125.88
TommyY111523
11/15/2023
3675 CC Charges
$347.17
DMiles111523
11/15/2023
3659 CC Charges
$581.76
JanetL111523
11/15/2023
9949 CC Charges
$2,267.35
AlexG111523
11/15/2023
1741 CC Charges
$1,326.44
SundariP111523
11/15/2023
9702 CC Charges
$584.95
RandyV111523
11/15/2023
9138 CC Charges
$45.02
ColleenF111523
11/15/2023
0798 cc charges
$27.18
mariahg111523
11/15/2023
7882 CC CHARGES
$658.21
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$19,800.14
Cash)
265 - BMR Housing
265 100-100 (Cash & Investments Assets Operating
$9.95
Cash)
420 - Capital Improvement Fund
420 100-100 (Cash & Investments Assets Operating
$7.50
Cash)
560 - Blackberry Farm
560 100-100 (Cash & Investments Assets Operating
$1,085.91
Cash)
user: Vi Tran Pages: 19 of 21 Monday, December 18, 2023
**LIVE** Cupertino **LIVE**
Payment Register
From Payment Date: 12/9/2023 - To Payment Date: 12/15/2023
Reconciled/
Transaction Reconciled
Number
Date Status
Void Reason
Voided Date Source Payee Name
Amount Amount Difference
570 - Sports Center
570 100-100 (Cash & Investments Assets Operating
$27.18
Cash)
580 - Recreation Program
580 100-100 (Cash & Investments Assets Operating
$492.93
Cash)
610 - Innovation & Technology
610 100-100 (Cash & Investments Assets Operating
$1,606.16
Cash)
630 - Vehicle/Equip Replacement
630 100-100 (Cash & Investments Assets Operating
$524.61
Cash)
38646
12/15/2023 Open
Accounts Payable Vision Service Plan
$4,250.80
Invoice
Date
Description
Amount
819270936
11/19/2023
December 2023 Vision Benefit
$2,352.96
819270949
11/19/2023
December 2023 Vision Benefit
$1,015.48
819282762
11/21/2023
December 2023 Vision Benefit
$882.36
Paying Fund
Cash Account
Amount
100 -General Fund
100 100-100 (Cash & Investments Assets Operating
$4,250.80
Cash)
38647
12/15/2023 Open
Accounts Payable West Valley Community Services
$16,613.66
Invoice
Date
Description
Amount
2622
11/30/2023
HTH Job Training Pilot Program - 2023/11
$16,613.66
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$16,613.66
Cash)
38648
12/15/2023 Open
Accounts Payable WOWzy Creation Corp. dba First
$965.80
Place
Invoice
Date
Description
Amount
96326
12/05/2023
Commissioners Awards
$965.80
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$965.80
Cash)
38649
12/15/2023 Open
Accounts Payable YourMembership.com,
Inc
$359.00
Invoice
Date
Description
Amount
R65497848
11/29/2023
Job Posting - Comms & Marketing Coordinator
$359.00
Paying Fund
Cash Account
Amount
100 - General Fund
100 100-100 (Cash & Investments Assets Operating
$359.00
Cash)
38650
12/15/2023 Open
Accounts Payable Zayo Group, LLC
$3,245.54
Invoice
Date
Description
Amount
2023120030583
12/01 /2023
FY24 Disaster Recovery Telecom services - Dec. 2023
$3,245.54
Paying Fund
Cash Account
Amount
610 - Innovation & Technology
610 100-100 (Cash & Investments Assets Operating
$3,245.54
Cash)
Type EFT Totals:
60 Transactions
$1,450,239.98
Main Account
- Main Checking Account Totals
Checks Status Count Transaction Amount
Reconciled Amount
Open 53
$146,038.22
$0.00
Reconciled 0
$0.00
$0.00
Voided 0
$0.00
$0.00
Stopped 0
$0.00
$0.00
user: Vi Tran Pages: 20 of 21 Monday, December 18, 2023
**LIVE** Cupertino **LIVE**
Payment Register
From Payment Date: 12/9/2023 - To Payment Date: 12/15/2023
Reconciled/
Transaction Reconciled
Number Date Status Void Reason Voided Date
Source
Payee Name
Amount Amount Difference
Total
53
$146,038.22
$0.00
EFTs
Status
Count
Transaction Amount
Reconciled Amount
Open
60
$1,450,239.98
$0.00
Reconciled
0
$0.00
$0.00
Voided
0
$0.00
$0.00
Total
60
$1,450,239.98
$0.00
All
Status
Count
Transaction Amount
Reconciled Amount
Open
113
$1,596,278.20
$0.00
Reconciled
0
$0.00
$0.00
Voided
0
$0.00
$0.00
Stopped
0
$0.00
$0.00
Total
113
$1,596,278.20
$0.00
Grand Totals:
Checks
Status
Count
Transaction Amount
Reconciled Amount
Open
53
$146,038.22
$0.00
Reconciled
0
$0.00
$0.00
Voided
0
$0.00
$0.00
Stopped
0
$0.00
$0.00
Total
53
$146,038.22
$0.00
EFTS
Status
Count
Transaction Amount
Reconciled Amount
Open
60
$1,450,239.98
$0.00
Reconciled
0
$0.00
$0.00
Voided
0
$0.00
$0.00
Total
60
$1,450,239.98
$0.00
All
Status
Count
Transaction Amount
Reconciled Amount
Open
113
$1,596,278.20
$0.00
Reconciled
0
$0.00
$0.00
Voided
0
$0.00
$0.00
Stopped
0
$0.00
$0.00
Total
113
$1,596,278.20
$0.00
user: Vi Tran
Pages: 21 of 21
, December 18